Main Street Capital Corporation logo

Main Street Capital Corporation

MAIN

NYSEFinancial ServicesAsset Management

Previous close

$58.29

−$0.11 · -0.19%

Aug 21, 4:00 PM ET

MAIN company overview

Regular session · ET · Market data may be delayed.

GoAI snapshot

AI-powered factor overview

Jul 10, 2026

GoAI score

Buy

Favorable setup — positive multi-factor alignment

Valuation

85

Deep Value

Momentum

41

Neutral

Sentiment

67

Bullish

Risk resilience

73

Moderate Risk

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Company profile

Company website

Main Street Capital Corporation functions as a Business Development Company (BDC), providing diverse capital solutions across different market segments. Primarily, the firm supplies equity capital to lower middle market companies. These investments support various strategic objectives, including recapitalizations, management buyouts, refinancing, family estate planning, industry consolidation, and growth initiatives for both mature and later-stage emerging businesses. Main Street actively seeks to forge partnerships with entrepreneurs, business owners, and management teams, frequently offering comprehensive, "one-stop" financing alternatives for its lower middle market portfolio. Companies targeted for equity investment in this segment typically have annual revenues between $5 million and $300 million, with individual equity investments generally ranging from $2 million to $75 million, and an enterprise value for the target company usually falling between $3 million and $20 million. The firm is prepared to take stakes from a 5% minority position up to a 50% majority interest. In addition to its equity offerings, Main Street also extends debt capital to middle market companies. These funds are allocated to finance activities such as acquisitions, management buyouts, growth strategies, recapitalizations, and refinancing. Debt transactions in the middle market typically range from $5 million to $50 million per deal, targeting businesses with annual EBITDA between $1 million and $20 million. It is important to note that these middle market debt recipients are generally larger in scale than the companies within Main Street's lower middle market equity portfolio. The firm demonstrates a wide investment scope, engaging with numerous industries. These include, but are not limited to: air freight and logistics, auto components, building products, chemicals, commercial services, computing, construction and engineering, consumer finance and services, electronic equipment, energy (equipment, services, and consumables), financial services, healthcare (equipment and providers), hospitality, internet software and services, IT services, machinery, paper and forest products, professional and industrial services, road and rail transportation, software, specialty retail, and telecommunications. Broadly, this covers sectors within consumer discretionary, energy, materials, technology, and transportation. Main Street Capital Corporation was established in 2007, with its main operations based in Houston, Texas, and an additional office located in Chojnów, Poland.

Industry
Asset Management
Sector
Financial Services
Headquarters
US
CEO
Dwayne Louis Hyzak
Listed since
Oct 9, 2007
Employees
110

Market position

Day range

Current $58.29

52-week range

Current $58.29

Open
$58.74
Previous close
$58.40
Volume
244.45K
0.36× average
Average volume
679.63K
Average daily volume
Market cap
5.42B USD
Beta
0.72
Market reference 1
50-day average
$54.1602
+7.63% above average
200-day average
$56.4552
+3.25% above average

Financials

Financial snapshot

Latest / TTM

Valuation & yield

P/E (TTM)
11.75×
P/B (TTM)
1.69×
P/S (TTM)
7.75×
Dividend yield
7.39%

Profitability & efficiency

Gross margin
85.26%
Operating margin
64.74%
Net margin
64.50%

Financial health

Debt / equity
0.8×

Financial statements

Margin trends

Profitability as a percentage of reported revenue.

Gross marginOperating marginNet margin
Gross, operating, and net margin trends104%88%73%57%Gross margin, FY2021: 87.48%Gross margin, FY2022: 80.26%Gross margin, FY2023: 83.25%Gross margin, FY2024: 82.97%Gross margin, FY2025: 100.00%Operating margin, FY2021: 77.37%Operating margin, FY2022: 66.82%Operating margin, FY2023: 73.65%Operating margin, FY2024: 74.34%Operating margin, FY2025: 80.71%Net margin, FY2021: 70.37%Net margin, FY2022: 60.94%Net margin, FY2023: 69.96%Net margin, FY2024: 70.11%Net margin, FY2025: 76.55%FY2021FY2022FY2023FY2024FY2025
Gross margin FY2021 87.48%. Gross margin FY2022 80.26%. Gross margin FY2023 83.25%. Gross margin FY2024 82.97%. Gross margin FY2025 100.00%. Operating margin FY2021 77.37%. Operating margin FY2022 66.82%. Operating margin FY2023 73.65%. Operating margin FY2024 74.34%. Operating margin FY2025 80.71%. Net margin FY2021 70.37%. Net margin FY2022 60.94%. Net margin FY2023 69.96%. Net margin FY2024 70.11%. Net margin FY2025 76.55%.

Income trends

Revenue

644.5M USD-11.06%

Operating income

520.2M USD-3.44%

Net income

493.4M USD-2.89%
Income trends across reported periods772.99M USD579.76M USD386.53M USD193.3M USDRevenue, FY2021: 470.01M USDRevenue, FY2022: 396.46M USDRevenue, FY2023: 612.46M USDRevenue, FY2024: 724.68M USDRevenue, FY2025: 644.5M USDOperating income, FY2021: 363.63M USDOperating income, FY2022: 264.93M USDOperating income, FY2023: 451.09M USDOperating income, FY2024: 538.71M USDOperating income, FY2025: 520.2M USDNet income, FY2021: 330.76M USDNet income, FY2022: 241.61M USDNet income, FY2023: 428.45M USDNet income, FY2024: 508.08M USDNet income, FY2025: 493.4M USDFY2021FY2022FY2023FY2024FY2025
Revenue FY2021 470.01M USD. Revenue FY2022 396.46M USD. Revenue FY2023 612.46M USD. Revenue FY2024 724.68M USD. Revenue FY2025 644.5M USD. Operating income FY2021 363.63M USD. Operating income FY2022 264.93M USD. Operating income FY2023 451.09M USD. Operating income FY2024 538.71M USD. Operating income FY2025 520.2M USD. Net income FY2021 330.76M USD. Net income FY2022 241.61M USD. Net income FY2023 428.45M USD. Net income FY2024 508.08M USD. Net income FY2025 493.4M USD.
Metric (USD)FY2025FY2024FY2023FY2022FY2021
Revenue644.5M USD724.68M USD612.46M USD396.46M USD470.01M USD
Cost of goods sold123.43M USD102.58M USD78.28M USD58.84M USD
Gross profit644.5M USD601.25M USD509.88M USD318.19M USD411.17M USD
Selling, general, and administrative73.75M USD−3.74M USD−4.01M USD3.09M USD2.22M USD
Operating expenses124.3M USD62.54M USD58.79M USD53.26M USD47.55M USD
Interest income566.39M USD541.03M USD500.39M USD376.86M USD289.05M USD
Interest expense128M USD123.43M USD102.58M USD78.28M USD58.84M USD
Depreciation and amortization6.52M USD5.16M USD3.33M USD
Operating income520.2M USD538.71M USD451.09M USD264.93M USD363.63M USD
Net income493.4M USD508.08M USD428.45M USD241.61M USD330.76M USD

Company facts updated Aug 24, 2026.

Earnings

EPS beat rate
45%
5 beats, 4 misses, 2 met estimates
Average EPS surprise
-1.20%
11 comparable reports
Latest EPS result
0.97
Estimate 0.96 · Beat by 1.25%

EPS: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly EPS actual values compared with estimates1.131.050.970.89Q1 '25MissQ2 '25BeatQ3 '25MetQ4 '25MissQ1 '26BeatQ2 '26MissQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Feb 27, 2025: actual 1.02, estimate 1.08, surprise -5.56%, Miss. Q2 2025, reported May 8, 2025: actual 1.01, estimate 1, surprise +1.00%, Beat. Q3 2025, reported Aug 7, 2025: actual 0.99, estimate 0.99, surprise 0.00%, Met estimate. Q4 2025, reported Nov 6, 2025: actual 0.97, estimate 1.04, surprise -6.73%, Miss. Q1 2026, reported Feb 26, 2026: actual 1.09, estimate 1.05, surprise +3.81%, Beat. Q2 2026, reported May 7, 2026: actual 0.93, estimate 1.01, surprise -7.92%, Miss. Q3 2026, reported Aug 6, 2026: actual 0.97, estimate 0.958, surprise +1.25%, Beat. Q4 2026, reported Nov 5, 2026: actual —, estimate 0.946, surprise —, Comparison unavailable.

Revenue: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly Revenue actual values compared with estimates230.08M196.18M162.28M128.38MQ1 '25BeatQ2 '25BeatQ3 '25BeatQ4 '25BeatQ1 '26BeatQ2 '26MissQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Feb 27, 2025: actual 221.23M USD, estimate 141.4M USD, surprise +56.46%, Beat. Q2 2025, reported May 8, 2025: actual 170.69M USD, estimate 138.27M USD, surprise +23.44%, Beat. Q3 2025, reported Aug 7, 2025: actual 202.29M USD, estimate 137.23M USD, surprise +47.41%, Beat. Q4 2025, reported Nov 6, 2025: actual 183.71M USD, estimate 140.48M USD, surprise +30.77%, Beat. Q1 2026, reported Feb 26, 2026: actual 145.54M USD, estimate 143.1M USD, surprise +1.71%, Beat. Q2 2026, reported May 7, 2026: actual 140.11M USD, estimate 145.23M USD, surprise -3.53%, Miss. Q3 2026, reported Aug 6, 2026: actual 149.57M USD, estimate 144.59M USD, surprise +3.45%, Beat. Q4 2026, reported Nov 5, 2026: actual —, estimate 147.01M USD, surprise —, Comparison unavailable.

Analyst ratings

Third-party consensus; not a GoAI recommendation.

Analyst price target

Average target

$56.67

2.78% downside
Past 12 months12-month forecastHigh $58.00Average $56.67Low $55.00

Rating distribution

15 ratings
Strong buy00%
Buy320%
Hold1280%
Sell00%
Strong sell00%

MAIN peers

ETFs holding MAIN

Funds reporting this stock among their holdings, ordered by reported position size.

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